Key Activities
• Prepare payrolls, management
accounts, fund flow statement and annual budget and manage suspense account to
inform the Senior Accountant of any operational anomalies.
• Prepare collateral reports, entry
sheet of various banks to reconcile bank statements and roll-over bank deposits
to provide financial reports to the department and corporate management.
• Coordinate monthly financial
closing of accounts and analyze income-related accounts to guarantee timely
reporting and come up with accurate financial reports to the department and
corporate managements.
• Coordinates the completion of
balance sheet account analysis by reconciling all values reported to balance
sheet accounts and ensure adherence in accordance with the approved standards.
• Coordinate with external and
internal auditors to perform regular audits by providing all the needed
financial records, data and information to ensure accuracy of reports.
• Prepare the final accounts and
journal vouchers and check ledger accounts of correctness and accuracy to
provide management with reliable reports as per the accepted accounting rules
and regulations.
• Compile and collect financial data
for corporate tax reporting to comply with the government requirements in
adherence with the generally accepted accounting and auditing principles and
other international accounting regulations.
• Prepares insurance reporting
schedules for all accounts by reviewing all supporting schedules to ensure that
the company's accounting practices are being maintained.
Job
Details
Date Posted:
|
2015-11-11
|
Job Location:
|
Jeddah , Saudi Arabia
|
Job Role:
|
Accounting/Banking/Finance
|
Company Industry:
|
Other
|
Preferred
Candidate
Career Level:
|
Entry Level
|
Gender:
|
Male
|
Nationality:
|
Saudi Arabia
|
Degree:
|
Bachelor's degree
|
Apply Now
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